Recent Annual Filings for OB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $549,213,000 $889,875,000 $888,171,000 $-1,139,000 $68,561,000 $-117,702,000 $18,646,000
2023 $664,637,000 $935,818,000 $919,463,000 $11,103,000 $13,746,000 $-117,068,000 $-34,686,000
2022 $781,148,000 $992,082,000 $1,010,655,000 $-30,020,000 $3,813,000 $-31,699,000 $-349,827,000
2021 $795,890,000 $1,015,630,000 $1,030,165,000 $10,811,000 $56,762,000 $325,894,000 $361,525,000
2016 $3,589,900,000 $1,194,400,000 $1,098,300,000 $109,600,000 $47,300,000 $-92,400,000 $-25,600,000
2015 $3,604,500,000 $1,186,400,000 $1,161,100,000 $38,000,000 $191,900,000 $-89,100,000 $8,200,000
2014 $3,579,400,000 $1,265,000,000 $1,224,400,000 $22,600,000 $97,500,000 $-87,100,000 $-30,300,000
2013 $5,211,600,000 $1,242,100,000 $1,060,800,000 $167,600,000 $128,700,000 $-85,900,000 $124,200,000